Treasury Manager – Trade Finance & Commodity Risk
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Key skills for this role
About the Role
Manage trade finance operations, letters of credit, foreign exchange risk, and commodity risk, focusing on international trade and copper trading.
Key Skills for This Role
Full Job Posting
Dubai
Reporting to:
Job Summary
The Treasury Manager is responsible for managing trade finance operations, treasury activities, and financial risk related to international commodity trading, with a strong focus on
Letters Of Credit (Lcs)
,
LC discounting
,
back-to-back LC structures
, and
foreign exchange and commodity hedging
.
The role requires in-depth knowledge of
international trade
, particularly
copper trading
, and active management of liquidity, banking relationships, and market risks.
Trade Finance & Lc Operations
- Manage end-to-end
- LC documentation, issuance, amendment, negotiation, and settlement
- .
- Handle
- back-to-back LCs
- , ensuring compliance with contract terms, UCP 600, and bank requirements.
- Oversee
- LC discounting
- , including coordination with banks to optimize funding costs and cash flow.
- Review shipping and trade documents to ensure accuracy and timely presentation.
- Liaise with internal teams, banks, suppliers, and customers to resolve discrepancies efficiently.
Treasury & Cash Management
- Monitor daily cash positions, liquidity requirements, and short-term funding needs.
- Optimize working capital through effective use of trade finance instruments.
- Maintain strong relationships with banks and financial institutions.
Forex Risk Management
- Identify and manage
- foreign exchange exposure
- arising from international trade transactions.
- Execute and monitor
- FX hedging instruments
- (forwards, swaps, options) in line with treasury policy.
- Analyze currency trends and provide risk mitigation recommendations.
Commodity Risk Management
- Manage
- commodity price exposure
- , with a strong emphasis on
- copper
- .
- Execute and monitor
- commodity hedging strategies
- using futures, swaps, or other derivatives.
- Track market movements, premiums, and spreads relevant to physical copper trading.
Compliance & Reporting
- Ensure compliance with internal treasury policies, banking regulations, and international trade rules.
- Prepare treasury reports covering cash flow, FX exposure, hedging performance, and LC utilization.
- Support audits and ensure proper documentation and controls.
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